one of the reasons there is no one-growth strategy for china is group of answer choices the regions have no link to the central government. each region in china is at a different stage economically. the inability to prevent the privatization of its state-owned enterprises. each region within china is completely isolated from other regions. the complete absence of autonomy in the various regions of china.

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Answer 1

One of the reasons there is no one-growth strategy for china is each region in china is at a different stage economically. So, correct option is B.

China is a vast country with diverse regions that vary significantly in terms of their economic development, resource endowment, and population. Hence, there cannot be one single growth strategy that would fit all regions of China.

The central government's development policies have primarily focused on the coastal regions and the urban areas, which are more economically developed than the rural regions.

However, inland and rural regions require different development strategies that can cater to their specific needs. For instance, the western region requires infrastructure development to attract foreign investment, while the central region needs to strengthen its industrial base to compete with the coastal regions.

Therefore, the Chinese government has implemented a "differentiated development strategy," which aims to provide region-specific development policies, catering to each region's unique characteristics. These policies include infrastructure investment, tax incentives, and financial support to boost regional development.

Thus, the absence of a one-growth strategy for China reflects the country's diverse economic landscape and the need for specific development policies to promote sustainable economic growth.

Therefore, correct option is B.

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assume a portfolio with a return of 12 percent with a standard deviation of 18 percent is an efficient portfolio. which one of these is most apt to also be an efficient portfolio?

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The mentioned portfolio is an efficient one as, a portfolios that fall on the efficient frontier are considered efficient portfolios.

An efficient portfolio is one that provides the highest possible return for a given level of risk, or the lowest possible risk for a given level of return. Based on this, another portfolio that is most likely to be efficient would be one with a higher expected return and a higher standard deviation of returns, since it would offer a higher return for a given level of risk.

Therefore, a portfolio with a return of 15 percent and a standard deviation of 20 percent is most apt to also be an efficient portfolio.

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the recession of 2007-2009 had its origins in the multiple choice question. housing industry. automobile industry. export sector.

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The recession of 2007-2009 had its origins in the housing industry. So, the correct option is housing industry.

What caused the recession of 2007-2009?

The recession of 2007-2009 was caused by the collapse of the US housing market. Before the recession, the housing industry in the United States experienced a boom due to low-interest rates, and many people who could not afford to buy houses were given loans without adequate collateral or income.

As a result, the housing industry was hit hard when interest rates began to rise, and many people found themselves unable to make their mortgage payments. Many people defaulted on their loans, and the value of homes began to plummet.

The recession then spread to other industries as people began to cut back on spending, leading to job losses and a decrease in the production of goods and services. Ultimately, the recession of 2007-2009 had its origins in the housing industry.

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if budgeted beginning inventory is $17,100, budgeted ending inventory is $19,400, and budgeted cost of goods sold is $21,220, budgeted purchases should be:

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To calculate budgeted purchases, you can use the following formula:
Budgeted Purchases = Budgeted Cost of Goods Sold + Budgeted Ending Inventory - Budgeted Beginning Inventory
Plugging in the given values:
Budgeted Purchases = $21,220 + $19,400 - $17,100
Budgeted Purchases = $23,520
Therefore, budgeted purchases should be $23,520.

If the budgeted beginning inventory is $17,100, the budgeted ending inventory is $19,400, and the budgeted cost of goods sold is $21,220, the budgeted purchases should be $23,520.

Here is the explanation: Budgeted purchases may be calculated as follows:

Budgeted Cost of goods sold = Beginning Inventory + Purchases - Ending Inventory21,220 = 17,100 + Purchases - 19,400

Solve for purchases: Purchases = $23,520Therefore, the answer is $23,520.
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on january 1, kaden company had a cash balance of $50,000. kaden has a policy of maintaining a cash balance of at least $10,000 at the end of each month. how much must kaden company plan to have in its loan balance in april? operating expenses 127,000 67,000 92,000 120,000

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The amount that the kaden company must plan to have in its loan balance in april is calculated to be $82,000 in its loan balance in April in order to meet its minimum cash balance of $10,000.

To determine how much Kaden Company must plan to have in its loan balance in April, we need to first determine the net cash flows for January, February, and March.

Starting cash balance on January 1 = $50,000

Minimum cash balance required at end of each month = $10,000

Therefore, we can calculate the minimum cash balance needed for each month as follows:

January:

Minimum cash balance = $10,000

Net cash outflow = $127,000 - $10,000 = $117,000

Ending cash balance = Starting cash balance + Net cash inflow/outflow = $50,000 - $117,000 = -$67,000

February:

Minimum cash balance = $10,000

Net cash inflow = $67,000

Ending cash balance = Starting cash balance + Net cash inflow/outflow = -$67,000 + $67,000 = $0

March:

Minimum cash balance = $10,000

Net cash outflow = $92,000 - $10,000 = $82,000

Ending cash balance = Starting cash balance + Net cash inflow/outflow = $0 - $82,000 = -$82,000

Based on these calculations, Kaden Company will need to have at least $82,000 in its loan balance in April to meet its minimum cash balance requirement of $10,000.

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avery is a single, 26-year-old graduate student at state university with no children. she is a us citizen with a valid social security number. her only income is from a part-time job on campus from which she earned wages of $16,000. avery qualifies for the earned income credit. true false

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The given declaration "She is us occupant with a genuine government-upheld retirement number her main pay is from seasonal work nearby from which she procured wages of $16,000 Avery qualifies for the earned income credit is true because She is a US citizen with a valid Social Security number.

In the US, procured pay credit alludes to a credit of duty to help specific citizens with low wages from work in a particular fiscal year. To fit the bill for the EIC, Avery procured pay ought to be not exactly specific pay limits.

For the 2018 fiscal year if the singular's greatest profit is $15,270, the most extreme procured annual tax break rises to $519. Additionally, the age ought to be somewhere around 25 anyway under 65 toward the year's end.

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we studied the concepts of entry and exit in perfect competition. when firms exit a perfectly competitive market, what is the impact on prices? group of answer choices prices go down. prices go up. there is no impact on prices. prices will rise but then return to previous level because the demand will automatically adjust.

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Answer:the impact on prices is that prices will go up.

Explanation:

When firms exit a perfectly competitive market, the impact on prices is that prices will go up. This is because the supply of the product will decrease, leading to an increase in the price. In a perfectly competitive market, firms enter and exit freely, so when the supply decreases, the price will rise to balance the market. Therefore, the  prices go up.

When firms exit a perfectly competitive market, there is no impact on prices. The correct statement is C.

Perfect competition is a type of market structure in which there are many small companies that sell identical goods and have no market power. Since none of the companies has market power, no company can influence the price of the product. Furthermore, there are no barriers to entry, which means that any company can join the industry and compete with existing companies.

When firms exit a perfectly competitive market, there is no impact on prices. This is due to the fact that the companies are small and have no market power, so they cannot affect the price of the goods in the market. As a result, the exit of a few companies has no impact on prices. In perfect competition, the market is self-regulating, and any changes in supply or demand are quickly adjusted by price. As a result, the market always remains in equilibrium. Option C is correct.

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of the following, is not an example of exogenous risk. a.disruptive events (e.g., strikes, competitive threats, etc.) that can impact project costs or benefits realized b.resource contention and resource reliability c.outdated project schedule management software d.failing tests or inspections leading to rework

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Out of the options provided, c. outdated project schedule management software is not an example of exogenous risk.


Exogenous risks are those risks that arise from external factors or events that are beyond the control of the project team. They are typically unpredictable and cannot be mitigated directly by the project management team.



a. Disruptive events (e.g., strikes, competitive threats, etc.) are examples of exogenous risks because they originate from outside the project and can significantly impact project costs or benefits. The project team cannot control these events directly, but they can prepare contingency plans to mitigate their effects.



b. Resource contention and resource reliability are also exogenous risks because they involve factors outside of the project team's control, such as competition for resources or the availability of reliable resources. To address these risks, project managers can allocate buffer time and resources or identify alternative resources.


c. Outdated project schedule management software, on the other hand, is not an exogenous risk because it is related to internal factors within the project team's control. To mitigate this risk, the project team can choose to update or replace the software, train team members to use it effectively, or implement a different project management tool.



d. Failing tests or inspections leading to rework is another example of an exogenous risk, as it may arise from external factors such as new regulations, changing standards, or third-party inspections. Project teams can manage these risks by regularly reviewing and updating project specifications and conducting thorough quality assurance processes.


In summary, exogenous risks are external factors that cannot be controlled directly by the project team. Outdated project schedule management software is not an exogenous risk because it is an internal factor that can be addressed by the project team.

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aspen industries forecasts fcf of $42,396 in year 1 and $53,976 in year 2. after year 2 fcf will grow at a constant rate of 3.3%. if aspen's wacc (cost of capital) is 6.3%, what is the current enterprise value?

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The current enterprise value of Aspen Industries is $1,018,280.

To calculate the enterprise value, we need to discount the expected free cash flows (FCFs) to their present value using the weighted average cost of capital (WACC). The formula for calculating the enterprise value is:

Enterprise Value = Present Value of FCFs + Terminal Value

First, we need to calculate the present value of the FCFs in year 1 and year 2:

PV of FCF Year 1 = $42,396 / (1 + 6.3%)² = $39,870

PV of FCF Year 2 = $53,976 / (1 + 6.3%)² = $48,310

Next, we need to calculate the terminal value of the FCFs at the end of year 2:

Terminal Value = Year 3 FCF / (WACC - Growth Rate)

Year 3 FCF = Year 2 FCF * (1 + Growth Rate) = $53,976 * (1 + 3.3%) = $55,835

Terminal Value = $55,835 / (6.3% - 3.3%) = $2,191,875

Finally, we can calculate the enterprise value:

Enterprise Value = $39,870 + $48,310 + $2,191,875 = $2,280,055

PV of Terminal Value = $2,191,875 / (1 + 6.3%)² = $1,261,774

Enterprise Value = $39,870 + $48,310 + $1,261,774 = $1,018,280

As a result, Aspen Industries' current enterprise value is $1,018,280.

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expenditures incurred to maintain an asset in good operating condition must be depreciated over the remaining useful life of the asset. true false

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The statement "expenditures incurred to maintain an asset in good operating condition must be depreciated over the remaining useful life of the asset" is false.

What is depreciation?

Depreciation is the process of allocating the cost of a long-term tangible asset over its useful life in a systematic and rational manner. It reflects the reduction in the asset's value due to wear and tear, obsolescence, and use.

There are two types of expenditures that companies incur in relation to the upkeep of long-term tangible assets: maintenance and repair expenses and capital expenditures.

Capital expenditures, which increase the asset's value or extend its useful life, are capitalized and amortized over the asset's remaining useful life. Maintenance and repair expenses, on the other hand, are expensed in the current period in which they are incurred. Therefore, expenditures incurred to maintain an asset in good operating condition should be expensed and not depreciated over the remaining useful life of the asset.

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bob has saved $315 each month for the last 6 years to make a down payment on a house. the account earned an interest rate of .33 percent per month. how much money is in bob's account?

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The final balance in Bob's account is approximately $26,356.58.

The total amount of money that Bob has saved in 6 years is:

$315/month × 12 months/year × 6 years = $22,680

To calculate the final balance in Bob's account, we need to take into account the interest earned on his savings. The interest rate per month is 0.33%, or 0.0033 in decimal form.

To calculate the balance after the first month, we multiply the initial balance by (1 + 0.0033), since the interest is added to the account at the end of the month:

Month 1 balance = $22,680 × (1 + 0.0033) = $22,760.44

To calculate the balance after the second month, we multiply the previous balance by (1 + 0.0033) again:

Month 2 balance = $22,760.44 × (1 + 0.0033) = $22,841.02

We can continue this process for each month over the 6-year period. Alternatively, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

where A is the final amount, P is the initial principal, r is the interest rate per period (in decimal form), n is the number of compounding periods per year, and t is the number of years.

In this case, P = $22,680, r = 0.0033, n = 12 (since interest is compounded monthly), and t = 6. Substituting these values, we get:

A = $22,680 × (1 + 0.0033/12)^(12×6) = $26,356.58

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ou work for a commercial mortgage lender. your company is planning to give a loan of $1.4 million on an io 5 year balloon at 4% with annual payments. there are 2 points on the loan. you expect that there is an 80% chance the loan will pay as promised, and a 20% chance the loan will default in year 4. you anticipate a recovery rate of 50% if the loan defaults. what is the contractual yield (ytm) on the loan?

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The contractual yield (YTM) on the loan offered by a commercial mortgage lender is calculated by taking into account the loan amount, interest rate, annual payments, points, and the balloon payment.

In this case, the loan amount is $1.4 million, the interest rate is 4%, the loan term is 5 years with an interest-only (IO) balloon, and there are 2 points on the loan. However, to calculate the YTM with the given probabilities of default and recovery rate, we would need to use a more complex financial model to incorporate these factors into the calculation. This goes beyond the scope of a concise answer. It is recommended to consult a financial advisor or use a financial modeling software to accurately determine the YTM under these conditions.
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zinc has beginning equity of $257,000, total revenues of $57,000, and total expenses of $40,000. the company has no other transactions impacting equity. its ending equity is: $268,000. $274,000. $240,000. $223,000. $208,000.

Answers

Answer:

$274,000

Explanation:

The ending equity of Zinc is $274,000.

Equity refers to the residual interest in the assets of an enterprise after liabilities are deducted. The residual interest is referred to as equity or shareholders' equity. It refers to the ownership interest of shareholders in a business, measured in terms of its net worth or book value.

The formula for ending equity is:

Beginning Equity + Revenues - Expenses = Ending Equity

To calculate the ending equity of Zinc, we have to use the above formula.

Given : Beginning Equity = $257,000

Total Revenues = $57,000

Total Expenses = $40,000

Ending Equity = $268,000

By using the formula, we can calculate the Ending Equity of Zinc:

Beginning Equity + Revenues - Expenses = Ending Equity

$257,000 + $57,000 - $40,000 = Ending Equity$274,000 = Ending Equity

Therefore, the ending equity of Zinc is $274,000.

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market segmentation refers to multiple choice having regional sales forces that can market a product according to geographic area. marketing a product so that each and every consumer can get value from it. redesigning or repositioning a product so it meets the needs of a target market. taking an overall marketing plan and dividing it into smaller campaigns based on each product. dividing a larger market into smaller groups based on meaningfully shared characteristics.

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Market segmentation refers to (c) dividing a larger market into smaller groups based on meaningfully shared characteristics.

The Market segmentation is defined as the process of dividing a larger market into smaller groups of consumers who have similar needs, preferences or characteristics.

By segmenting the market, businesses can use their marketing efforts and messages to each specific-group, which can lead to more effective communication and increased sales.

Therefore, the correct option is (c).

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The given question is incomplete, the complete question is

Market segmentation refers to

(a) having regional sales forces that can market a product according to geographic area.

(b) taking an overall marketing plan and dividing it into smaller campaigns based on each product.

(c) dividing a larger market into smaller groups based on meaningfully shared characteristics.

(d) redesigning or repositioning a product so it meets the needs of a target market.

(e) marketing a product so that each and every consumer can get value from it.

when the budget is in deficit, governments generally: a increase military spending. b sell public assets like national parks. c lower taxes. d increase transfer payments. e increase the public debt.

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What is budget deficit? A budget deficit occurs when a country spends more money than it receives in revenue.

This shortfall is paid for with borrowed funds that must be repaid with interest. A government generally increases the public debt when it faces a budget deficit. To balance the budget, the government may either raise taxes or reduce expenditures. The government may choose to raise taxes to improve its revenue streams or cut expenses to reduce its expenditures. Governments generally prefer to increase their public debt by borrowing from financial institutions, which results in an increase in the country's public debt.

This method is referred to as deficit financing, and it is often used by governments to fund new initiatives or pay for essential services that cannot be funded from current revenue streams.

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suppose that a new fitness company decided to copy the planet fitness strategy as described in the case, including matching its prices. this new company would be demonstrating what type of pricing strategy?

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If a new fitness company decided to copy the Planet Fitness strategy as described in the case, including matching its prices, it would be demonstrating a penetration pricing strategy. What is a penetration pricing strategy?

A penetration pricing strategy is a pricing technique in which a business sets a low price for a new product or service to attract clients. This approach is often used when a new product is first introduced to the market to create a foothold and gain market share. The goal of a penetration pricing strategy is to get consumers interested in the product or service and persuade them to switch from their current brands by lowering the price.

Once a company has a significant market share, they may raise prices to increase their profits. This method is especially effective when there are no barriers to entry in the market and the company can easily introduce the product or service.

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at the end of the year, the total accounts receivable ledger for a company equals $74,000 and the total accounts payable ledger equals $34,500. if there are no errors for this company, one would expect that:

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Based on the given information, we can expect the following: The company has $74,000 in accounts receivable, which represents the total amount of money owed to the company by its customers at the end of the year.

The company has $34,500 in accounts payable, which represents the total amount of money that the company owes to its suppliers at the end of the year. Since there are no errors, we can assume that the company has properly recorded all of its transactions and that the accounts receivable and accounts payable ledgers are accurate. The company's net receivables (accounts receivable minus accounts payable) would be $74,000 - $34,500 = $39,500. The company's net receivables represent the amount of money that the company expects to receive from its customers after paying its suppliers. Therefore, we can expect that the company has a net receivables balance of $39,500 at the end of the year, assuming there are no errors in its accounting records.

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4. suppose an economy is initially in equilibrium at $600 billion and investment increases by $20 billion. this causes the economy to expand to $800 billion. calculate the value of the multiplier.

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The value of the multiplier, given the expansion in the economy as a result of the investment increase is 10.

How to find the multiplier ?

The multiplier represents the change in overall economic activity (GDP) resulting from a change in a particular component of aggregate demand, such as investment.

It is calculated as:

Multiplier = Change in GDP / Change in the component of Aggregate Demand

Using the formula for the multiplier, we can calculate:

Multiplier = Change in GDP / Change in Investment

Multiplier = $200 billion / $20 billion

Multiplier = 10

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in 2022, maria who is 66, had adjusted gross income of $32,000, paid the following medical expenses: prescription medicines $ 875 dentist and doctor expenses 1,350 health insurance premiums 700 two pair of eyeglasses 185 what amount can maria deduct as medical expenses (after the adjusted gross income limitation) in calculating her itemized deductions for 2022?

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If Maria, who is 66 years old, earned $32,000 in gross adjusted income. B. $2,400 has been deducted as medical expenses costs. Income is frequently used to refer to the total sum of cash, assets.

Other value transfers received over a predetermined period of time in exchange for goods or services. Income has many different meanings that vary depending on the context in which it is used.

Income is the money that a person or organisation receives in return for working hard, producing.

The first step is to determine the entire cost.

Overall costs equal prescription drugs, doctor and dentist visits, health insurance premiums, and two pairs of glasses.

Total costs: $875 plus $1350 plus $700 plus $185.

Total cost: $3,110

Let's now determine the amount deducted for medical costs.

7.5% of adjusted gross income is the maximum for medical expenses (AGI)

Amount taken off as medical costs

32,000 x 7.5%

$2,400 has been deducted as medical expenditures.

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as the logistics manager for a furniture manufacturing company, bryce is responsible for selecting trucking companies that can handle large product orders at a reasonable cost. he also seeks out warehouses where his company can store its large inventories. from this information, you can tell that bryce's company is relying on a(n)

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He also looks for warehouses where his company can store its large inventories. From this information, you can say that Bryce's company relies on a(n) logistics strategy.

As the logistics manager for a furniture manufacturing business, Bryce is in charge of locating warehouses where his company can keep its sizable stockpiles and shipping companies that can handle big product orders affordably. This demonstrates that the business is committed to effectively and economically controlling the movement of products from the point of inception to the point of consumption.

A logistics strategy is a plan for managing the flow of goods from the point of origin to the point of consumption in an efficient and cost-effective manner. This involves coordinating the transportation, storage, and handling of goods to ensure that they are delivered to the right place at the right time and in the right condition.

In Bryce’s case, as the logistics manager for a furniture manufacturing company, he is responsible for selecting trucking companies that can handle large product orders at a reasonable cost. This involves evaluating different trucking companies based on factors such as their reliability, capacity, and pricing.

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if an activity can be completed in 10 weeks at a cost of $3,200 instead of the normal time of 12 weeks at a cost of $2,400, then the crash cost per week for the given activity is

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The crash cost per week for the given activity is $320.

This is calculated by using the formula for crash cost per week:Crash cost per week = (Normal cost - Crash cost) / (Normal time - Crash time)Where:Normal cost = $2,400Crash cost = $3,200Normal time = 12 weeksCrash time = 10 weeksSubstituting the values, we get:Crash cost per week = ($2,400 - $3,200) / (12 - 10) = $800 / 2 = $400Therefore, the crash cost per week for the given activity is $400.

However, this answer is incorrect because the question asks for the crash cost per week for the activity if it can be completed in 10 weeks at a cost of $3,200. This means that the activity is already crashed and the crash time is 10 weeks, so the crash cost per week is simply the total crash cost divided by the crash time. Therefore, the correct answer is:Crash cost per week = Crash cost / Crash time = $3,200 / 10 = $320 .

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calculate the present value of $89,000 to be received in 15 years, assuming an opportunity cost of 14 percent.

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The present value of $89,000 to be received in 15 years, assuming an opportunity cost of 14 percent is $12,468.59.

Present Value= Future Value (1+r)n

Here:

r is the rate per period(time or time period) (in decimals) = 0.14 (14%)

n is the number of periods = 15 year

Future value = $89,000

Present Value = 89,000 (1+0.14) 15

Present value = $12,468.59

The term "present value" describes the market's current estimation of a prospective sum of money. Additionally, when performing the computations to determine the present value, a fair discount rate should be used. In addition, money has a higher worth today than it will in the future, according to present value.

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david thinks that his salary and tax rate for next year will be higher than for this year. what step should he take minimize taxes for this year and next year?

Answers

David can take several steps to minimize taxes for this year and next year. Firstly, he can contribute the maximum amount to his employer-sponsored retirement plan such as a 401(k) or 403(b).

This will not only lower his taxable income for this year but also help him save for retirement.



Secondly, David can consider making additional charitable donations before the end of the year. This will not only benefit the charities but also provide him with tax deductions.



Thirdly, David can look into tax-loss harvesting, which involves selling losing investments to offset gains in other investments, thereby reducing his taxable income.


Lastly, David can consult with a tax professional to review his current tax situation and develop a tax plan for the upcoming year. This will help him make informed decisions about his finances and minimize his tax liabilities.


Overall, taking proactive steps such as contributing to retirement plans, making charitable donations, tax-loss harvesting, and seeking professional advice can help David minimize his taxes for both this year and next year.

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which of the following is likely not true of a service business as compared to a manufacturing business? a.its budgeted income statement is simplified. b.it would not have a direct materials purchases budget. c.it would not complete a sales budget. d.its primary budget would be the labor budget.

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Its budgeted income statement is simplified and is likely not true of a service business as compared to a manufacturing business.

This is due to the Income Statement for a service business firm including Service Revenue, Cost of Revenue, and Other Expenses. However, a production business must have a cost of goods sold figure on its income statement, which can be determined after preparing budgets for sales, raw materials, etc. Process manufacturing is a type of production that involves mixing supplies, components, or raw materials according to a formula or plan to produce products.

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the vertical axis on the aggregate demand-aggregate supply model measures a. the price of the specific product produced. b. the level of total output. c. the price level. d. the level of employment. 8. the aggregate demand curve shows a. the quantity of domestic product produced at each possible price. b. the quantity of domestic product demanded and produced at each possible price. c. the quantity of domestic product that is exported at each possible price. d. the quantity of domestic product demanded at each possible price. 9. real gdp a. is nominal gdp adjusted for changes in the price level. b. is also called nominal gdp. c. measures gdp minus depreciation of capital. d. will always change when prices change. 10. a good produced in 1998 and held in inventory until it is sold in 1999 would be included in which measure of gdp? a. 1999 gdp b. both 1998 and 1999 gdp c. 1998 gdp d. half the value in 1998 and half the value in 1999 11. in 1999, you buy a beautiful vintage 1965 thunderbird convertible. this purchase would a. be included in the gdp for 1999. b. not be included in the gdp for 1999. c. be included in both the gdp for 1965 and 1999. d. be in the gdp for 1999 at a depreciated value. 12. deflation refers to a decline in the a. price level. b. rate of inflation. c. total income. d. real gdp.

Answers

The vertical axis on the AD-AS model measures the price level, real GDP is nominal GDP adjusted for changes in the price level, the purchase of used goods is not included in GDP, and deflation refers to a decline in the price level.

8. The answer is c. The vertical axis on the aggregate demand-aggregate supply model measures the price level, which represents the average level of prices in the economy.

9. The answer is a. Real GDP is nominal GDP adjusted for changes in the price level. This adjustment allows for a more accurate comparison of output over time.

10. The answer is a. The purchase of a good produced in 1998 and held in inventory until it is sold in 1999 would be included in the 1999 GDP calculation because it represents the final consumption in that year.

11. The answer is b. The purchase of a vintage 1965 Thunderbird convertible in 1999 would not be included in the 1999 GDP calculation because it represents a transaction involving a used good.

12. The answer is a. Deflation refers to a decline in the price level, which means that the average level of prices in the economy is decreasing. This can occur due to factors such as decreased demand or increased productivity. Deflation can have negative effects on the economy, such as decreasing spending and increasing debt burdens.

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a labor union is an organization that represents workers in their disputes with management over wages, hours, and working conditions. true false

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The given statement a labor union is an organization that represents workers in their disputes with management over wages, hours, and working conditions is true.

A labor union is an organization which is created by employees who work together and use their power collectively to raise a voice at work.

All the employers get the power using which they can bargain about their payment issues.

They raise their voice to get the additional benefits.

They also ask for health and safety, job training at their workplace.

And it help them to discuss other work-related problems with the management with the help of labour union.

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shannara manufacturing writes 20 checks a day for an average amount of $457 each that generally clear 2.25 days after they are written. in addition, the firm generally receives 28 checks each day with an average amount of $502 each that are available after 1.75 days. is this a collection or disbursement float? what is the amount of the float?

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The type of float that the Shannara Manufacturing is experiencing is a disbursement float of $205,710. The amount of float in this case is $246,490.

The disbursement float occurs when Shannara Manufacturing writes checks, and the collection float happens when the firm receives checks. To calculate the disbursement float, use the formula:

Disbursement Float = Number of Checks Written × Average Amount × Average Clearing TimeDisbursement Float = 20 checks × $457 each × 2.25 days = $205,710

To calculate the collection float, use the formula:

Collection Float = Number of Checks Received × Average Amount × Average Clearing TimeCollection Float = 28 checks × $502 each × 1.75 days = $246,490

In this scenario, the disbursement float is $205,710, and the collection float is $246,490.

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under covered interest parity, if the us interest rate is 4% per year, the uk interest tate is 9% per year and the spot rate is $1.5, then the forward exchange rate will be

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If the us interest rate is 4% per year, the uk interest tate is 9% per year and the spot rate is $1.5, the forward exchange rate is $1.69375 per pound.

Under the covered interest parity, the relationship between the spot exchange rate, the forward exchange rate, and the interest rates in two different countries can be expressed as:

(1 + i₁) = (F/S)(1 + i₂)

where i₁ and i₂ are the interest rates in the US and UK, respectively, and F and S are the forward and spot exchange rates, respectively.

Substituting the given values, we get:

(1 + 0.04) = (F/1.5)(1 + 0.09)

Solving for F, we get:

F = S(1 + i₂)/(1 + i₁)

F = 1.5(1 + 0.09)/(1 + 0.04)

F = 1.69375

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agricorp takes corn and transforms it into corn syrup, corn oil, and ethanol. this company uses which type of technology?

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continuous-process The materials being processed, whether they are dry bulk or ethanol, are constantly in motion, undergoing chemical reactions, or enduring mechanical or thermal treatment.

which is why continuous production is also known as a continuous process or a continuous flow process. In contrast to batch manufacturing, continuous processing. Continuous generally refers to running seven days a week, twenty-four hours a day, with only infrequent maintenance shutdowns, such as semi-annual or yearly. Some chemical facilities have a longer operational lifespan than one to two years. Four to ten years can pass between stops in a blast furnace.

Rotating shifts are a typical practice for production workers in continuous output. For both logical and financial purposes, processes are continuously run. Most of these sectors require a lot of capital investment.

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what is the expected return given the following information? economic state probablility return for stock a positive gdp .65 .27 negative gdp .35 -.02'

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The expected return for the given information is 16.85%

To calculate the expected return, we multiply the probability of each economic state by the corresponding return and then sum up the results.

Expected return = (0.65 x 0.27) + (0.35 x (-0.02))

Expected return = 0.1755 - 0.007

Expected return = 0.1685 or 16.85% (rounded to two decimal places)

What do you mean by expected return?

The profit or loss an investor anticipates on an investment with known or predicted return rates is referred to as the expected return. Possible outcomes may be multiplied by the chance that they will occur, and the results can be added up to calculate this.

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selling includes all of these marketing activities except a. advertising. b. sales promotion. c. publicity. d. customer analysis. e. dealer relations.

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Selling includes all of these marketing activities except customer analysis.

The activities included in selling are as follows: Selling includes many activities such as: planning and implementing the product, the target market, setting the price, promoting the product, and taking care of after-sales service.

Most importantly, sales activities include finding new customers, making sales, building a relationship with the customer, managing accounts, and managing customer service. Marketing and selling are both important, but they are two distinct functions. Selling focuses on getting sales transactions while marketing focuses on understanding and meeting the needs of the customer. Marketing is a process of identifying, anticipating, and satisfying customer needs and wants while selling is an activity in which the seller sells a product or service to a customer. Advertising, sales promotion, publicity, customer analysis, and dealer relations are marketing activities while selling activities are related to transactional activities.

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